This image shows the Securities Corporate Action Maintenance Redemption Screen. This screen has internal security id, record date, redemption type, and end of trading date, issuer payment currency and event date. The other category field is internal action id, security description, announcement date, redemption price, currency name, exchange rate, series with optional field confirmed, confirmed date, external action ID, security issuer reference, restart of trading date, exchange rate fixing date, redemption quotation, redemption quantity and dispose fractions.